Portfolio exit-readiness, refreshed every month.
You run every company through buy, hold, and sell. Exitrac gives you a forward-looking exit-readiness score on every portfolio company — one board, refreshed on a cadence, delivered through your MSP partner.

One record from pre-LOI through exit.
Diligence before the deal
An A–F deal grade, remediation cost range, and Day-1 blockers — investment-committee-ready in hours, every finding traceable to source.
Monitoring that never goes stale
DD findings auto-carry into ongoing monitoring on Day 1. Posture climbs quarter over quarter, documented the whole way.
Walk in with the number high
Run the same diligence before market — fix what a buyer would flag and enter the process with exit-readiness already proven.

Every open risk across the whole portfolio, in one place.
- Exit-readiness, open findings, and posture trend for every portco — color-coded, sortable, refreshed monthly.
- Cost-to-remediate annotated per finding, so a number always has a price attached.
- Every row is a real, distinct assessment built from that company's own documents — never the same finding twice.
Delivered through your MSP partner.
The platform runs standardized analysis on every portco; your MSP adds the insight only they can — relationship context, conversations, and plans not yet in the documents. You see both views, and can verify any finding back to source evidence.
See Exitrac on your own portfolio.
Already work with an MSP? Ask them about ITOptik — or talk to us directly.
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